Oracle Financial Consolidation Hub FCH Historical Rates

There is a requirement to enter data for Historical rates in Oracle R12.
I only know that GCS is the schema for historical rates table.
Please, I need to know if there are any interface tables or API relates to this upload.
Also any technical web links / documentation related to it.
Edited by: Anshul Khandelwal on Jun 15, 2011 10:58 AM

Found a web ADI for entering historical rates in FCH.
responsibility fch>>setup>>rates>>create historical rates
but is there any other way to enter historical rates, any API or interface table ??

Similar Messages

  • Difference between Oracle Financial Consolidation Hub and Hyperion Financial Management

    Dear All,
    Greetings!
    We are at a client site where the existing consolidation process is performed using the Oracle Financial Consolidation Hub (FCH)
    The client is interested to migrate or utilize the power of Hyperion Financial Management (HFM) and want to utilize Hyperion going forward
    Queries:
    1. Can we integrate or migrate the Oracle FCH to HFM
    2. What are the major differences between Oracle FCH and HFM - functionally and technically?
    3. Which is more advantageous considering the growth potential, future opportunities of expansion of the company?
    Any help on this query (at the earliest) is highly appreciated as we have the real scenario in hand.
    Thanks
    Swami

    FCH was a product launched by Oracle to counter Hyperion Financial Management. However, it is not a proven tool. HFM has a very good market standing coupled with its other reporting capabilities. Also, HFM is a industry leader now.
    Financial Consolidation Hub will be removed from the Oracle E-Business Suite Component. FCH will not be included with Release 12.1. This is why, customers are advised to move to Hyperion Financial Management.
    An automatic migration utility from FCH to HFM has not been implemented. FCH customers who wish to implement Hyperion Financial Management will have to install the application and complete the implementation process manually.

  • Financial Consolidation Hub (FCH) vs Global Consolidation System (GCS).

    Does any one know the benefits offered by Financial Consolidation Hub (FCH) over Global Consolidation System (GCS).
    GCS comes with GL module and it is pretty sophisticated. My question is what are the benefits offered by FCH module (which is new in R12) over GCS?
    Thanks

    Found a web ADI for entering historical rates in FCH.
    responsibility fch>>setup>>rates>>create historical rates
    but is there any other way to enter historical rates, any API or interface table ??

  • Oracle Financial Accounting Hub View issue

    Hello all,
    I am new to Oracle Financial Accounting Hub.
    While i'm doing setup, I got stuck in Accounting Event Class Option ( N - Subledger Accounting Setups > Accounting Method Builder > Events > Accounting Event Class Options ). In that form, In Transaction View field I have to give One views name.
    My doubt is what are the filed that i need to inculde. I will be happy if any one send the sample query.
    Thanks and Regards,
    Muthu

    Hi,
    I recently published the following article which might be helpful to you:
    part 1: [http://oraclecs.com/financials-accounting-hub-basic-setup-steps-part-1-2.html]
    part 2: [http://oraclecs.com/financials-accounting-hub-basic-setup-steps-part-2-2.html]
    Regards,
    Sven

  • Can someone throw light on implementing "Oracle Financial Accounting Hub"

    Can someone help me with the responsibilities and navigation for implementing **Oracle Financial Accounting Hub*.* Looking for material other than FAH implementation & user guides pl.
    Thx
    Edited by: user11215514 on May 30, 2009 3:19 PM

    Hi,
    I recently published the following article which might be helpful to you:
    part 1: [http://oraclecs.com/financials-accounting-hub-basic-setup-steps-part-1-2.html]
    part 2: [http://oraclecs.com/financials-accounting-hub-basic-setup-steps-part-2-2.html]
    Regards,
    Sven

  • Translating equity at the historic rate (BPC 7.5 NW)

    Hello,
    For group reporting purposes, our accounting policy is to state our consolidated equity at historic rates. That means that net assets of all subsidiaries are translated to GBP at the closing rate and the income statememt of all non-GBP subsidiaries are translated at the yearly average rate. The equity for all non-GBP is not re-translated but the difference between the equity at the closing rate and the equity at the historic rate is posted to FCTR in reserves.
    Anyone has any idea how to implement this in BPC?
    Thank you.

    Hello,
    Thanks for your response. I would really appreciate if you could expand on your comment above, as the rule needs to do several things:
    -The opening balance of equity (in any particular BPC account code) needs to be at the previous period's closing rate.
    -The movement during the period in the account needs to be at the average rate.
    -FCTR needs to be calculated, which is the difference between the LC at closing rate, less the amounts mentioned above. But the FX will be posted to a different account.
    Thank you very much again.

  • Error in testing a new connection to Financial Consolidation

    Hi.
    we want to create a new connection to Financial Consolidation. It works so far, but when i click on "Test connection" i'm getting the following error:
    Unerwarteter Fehler bei der Aktion Webdienst-URL-Verbindung validieren'. Wenden Sie sich an den Systemadministrator
    com.sap.fpm.fim.common.webservice.ESException: Fehler beim Aufrufen des Systems 'Finance'zum Durchführen der
    Aktion 'getReferenceValuesFromTable'. javax.xml.ws.soap.SOAPFaultException:
    Cartesis.Framework.Business.Client.InvalidTokenException: Invalid security token. at
    Cartesis.Framework.Business.Client.ServiceHub.Invoke(Stream requestMessageStream) at
    Cartesis.Framework.Business.Client.ServiceProxy.Invoke( Stream requestMessageStream ) at
    Cartesis.Finance.OperationConsolidation.ConsolidationServices.getIdentificationForAlleConsolidationDefinitions() The
    Zone of the assembly that failed was: MyComputer -- End of inner exception stack trace -- at...
    Did you ever experienced such an error ? Do you have any ideas how to solve this issue or where to search ?
    Thanks a lot,
    Sebastian

    Hi Deena,
    This error:
    "[2012-07-10T14:50:30.005+05:30] [wls_ods1] [ERROR] [] [oracle.adfinternal.view.faces.config.rich.RegistrationConfigurator] [tid: [ACTIVE].ExecuteThread: '1' for queue: 'weblogic.kernel.Default (self-tuning)'] [userId: <anonymous>] [ecid: 0000JXkC9dU3FClqwsJb6G1FyhO000003D,0] [APP: odsm#11.1.1.2.0] Server Exception during PPR, #7[[
    javax.servlet.ServletException: Could not initialize class com.octetstring.vde.admin.services.client.VDEAdminServiceSoapBindingStub"
    is known issue
    Go to metalink, article: Unable To Connect To OVD 11g Webinterface Using ODSM. [ID 1282757.1]
    You need to apply that patch.
    I hope this helps,
    Thiago Leoncio.

  • Regarding Oracle Financial Analyzer

    Hi all
    Does oracle Financial Analyzer works with Oracle Apps only or can it be used with Other ERP packages also??
    2)Is there any document on how to get reports regarding EVA,RAROC using the Oracle Financial Analyzer.

    Hi,
    OFA: How is it related to DW. Is it an OLAP tool? if yes How is it different from Express Objects and why two tools like OFA and Oracle Express Analyser/Objects?
    DW usually refers to a larger enterprise solution including multiple solution areas of data consolidated. OFA is an OLAP tool which typically only focuses on one or a few solution areas, such as Finance or Human Resources. OFA is a prepackaged solution much like Office productivity software, where as Express Objects is a complete development environment for OLAP applications. Express Objects is comparable to Oracle JDeveloper or IBM Eclipse, only it's for an OLAP data source (Express Server that is).
    Why two tools, well some people want custom applications developed from scratch because of user requirements and data analysis needs, while others are happy with a predeveloped solution that only needs a little customization such as OFA. OFA does a great job in the Budgeting/Planning/Reporting area.
    Bill

  • Oracle Financial ???

    I'm presently reviewing my hardware requirements for Oracle Financial DB(asset,cm,gl,payable,recv,global consolid). I was interested in knowing if anyone has built a similar environment and how much space was allocated for the database? How large of a company? Thanks...

    I've been a Oracle Financials consultant for over 5 years. I could answer some of your questions. [email protected]

  • Financial Accounting Hub

    Hi,
    I am new to the FAH concept. As for now it seems its just same as SLA.
    we have done some basic setups as mentioned in oracle white paper.
    Now before create accounting we have to populate some tables like
    'XLA_EVENTS' and 'XLA_TRANSACTION_ENTITIES' from the source tables.
    Here i found an api to create event "xla_events_pub_pkg.create_event".
    any source code for this api will be a great help.
    kindly let me know if we are going in the right direction or not,
    and if we need to drill down then how far we can get into it.
    Thanks & Regards
    P.Mohanty
    Edited by: 966510 on १९ अक्तूबर, २०१२ ५:२४ अपराह्न

    The General Ledger is where you keep you accounting books with the numbers of your company. SLA/FAH(Financial Accounting Hub) is the new feautre of R12, it is not a module is more a service or engine. From the functional arquitecture point of view is a previous step before the accounting transactions are transfered to GL.
    SLA/FAH is the middle step between the subledgers and GL where we can add 'rules' to modify the journals that goes from AP (for example) to GL. One modification could be to split the expense account in the distributions by project segment.
    SLA and FAH are really the same functionality, however SLA is used for standard eBS modules: AP, AR, FA, etc... and FAH is used for external sources, when we integrate external systems with GL
    For further info I recomend this blog, it is a pity but it is not mine ;-)
    http://sleemput.blogspot.com.es/2010/12/difference-between-fah-and-sla.html

  • Financial Accounting Hub(FAH)

    Hi Friends,
    Where can I access Financial Accounting Hub(FAH) responsibility in Oracle R12? I want to study it to customize the source setup, etc.
    Thank you.
    Best regards,
    Ning

    Hi Ning,
    This blog has some details to get you started.
    http://oraclecs.com/an-introduction-to-the-financial-services-accounting-hub.html

  • Can I use Discoverer to do financial consolidation

    Hi all,
    Can anyone advise if Discoverer can be used as a financial consolidation tools. Basically we are using Oracle Apps 10.7 with 7.3 database and have mutliple instance over two servers.
    We are currently using Frango, a consolidation tools, to generate our consolidated finance report but are planning to look into alternative.
    Appreciate if anyone can provide advise. Besides, what about Oracle Express? It also appears to be a similar OLTP tool.
    Thanks and Regards.
    null

    I think you should take a close look at OFA (Oracle Financial Analyser). This product can extract data from you Oracle applications and consolidate.
    <BLOCKQUOTE><font size="1" face="Verdana, Arial">quote:</font><HR>Originally posted by Chee Keong Lim ([email protected]):
    Hi all,
    Can anyone advise if Discoverer can be used as a financial consolidation tools. Basically we are using Oracle Apps 10.7 with 7.3 database and have mutliple instance over two servers.
    We are currently using Frango, a consolidation tools, to generate our consolidated finance report but are planning to look into alternative.
    Appreciate if anyone can provide advise. Besides, what about Oracle Express? It also appears to be a similar OLTP tool.
    Thanks and Regards.<HR></BLOCKQUOTE>
    null

  • Currency Translation at Historical Rates

    Hi,
    We wish to translate Retained Earnings, Equity and Investment FS Items at historical rates. I wish to understand the following -
    1) For equity and investment line items the system should refer the Additional Financial Data for GC value. However in our case we found that the same does not happen everything (even though parameters such as profit center, partner profit center and partner unit match)..
    2) I wish to understand how the system translates retained earnings.
    We are implementing SEM-BCS at a client site and hence we wish to migrate historical data.
    Regards,
    Shibu

    1) Can you please provide a detailed example of AFD vs. Totals and the resulting translations, as well as how translation is configured for the example, for us to assess what is actually occuring?
    2) Because there are many options with respect to transaltion in BCS it would be helpful for us to know how retained earnings should be translated in order to provide suggestions. For US GAAP, it is typical to translate RE on a periodic basis at the month's avg. rate in order to coincide with the corresponding earnings/losses.

  • Oracle Financial Setup

    Our Company has multi-projects related to manpower supply and services in defence. We want oracle financial setup in such a way that we be able to produce all reports project-wise and at the end consolidated financial statements. Please suggest what is the best oracle setup suitable for us.

    Dear Asif
    We are software development company based in Lahore-Pakistan. We provide implmentation and training of Oracle Financial. You can visit or call us for detailed information.
    Muhammad Nadeem
    Manager Operations
    WIZMEN Systems
    Voice: 92-42-5886651-2
    Fax: 92-52-5886653
    Email: [email protected]

  • Where can I find Documentation for Oracle financial installation

    Hi
    Where can I find Documentation for Oracle financial
    installation as which all modules to be downloaded for linuk server etc
    here is what I have found
    ===================================
    Oracle9i Application Server, Version 1.0.2.2.2 CD Pack for Linux x86 [Act as Server][to be installed on main linux server]
    ===================================
    Oracle® Applications 11i Release 9 CD Pack for Linux x86     [Act as client][to be installed on client sean,AJ,Vinod]
    ===================================
    Internet Developer Suite (1.0.2.4.1) CD Pack (with iAS Pack) for Microsoft Windows (32-bit)
    ===================================

    user11872870 wrote:
    Hi Tubby,
    http://www.quest.com/documents/list.aspx?SearchOff=true&ContentTypeID=20&prod=1
    This link has many pdf files but none has the useful information. Those pdf's are just 2 or 3 pages each.Sad Christmas for you then i suppose.
    Perhaps you could contact the vendor (quest) and get them to help you in your search for whatever it is you're looking for. An Oracle SQL and PL/SQL forum is not the venue for this, please mark the question as answered, and good luck in your search.

Maybe you are looking for